How is the expected return of a portfolio calculated? Option: E(RP) = (R1 + R2 + R3 + ... + Rn) / N, E(RP) = W1R1 + W2R2 + W3R3 + ———– + WnRn, E(RP) = W1/R1 + W2/R2 + W3/R3 + ... + Wn/Rn, E(RP) = (W1 + W2 + W3 + ... + Wn) * (R1 + R2 + R3 + ... + Rn)

How is the expected return of a portfolio calculated?

What is the method used to calculate the overall growth rate of a multi-asset portfolio?

What is the term for the probabilistic expectation of a return on an investment?

Which formula is commonly used to estimate the future value of an investment?

What does the acronym RRR stand for in the context of trading and investment evaluation?

How is the rate of change of return calculated?